Our role in these transactions is to provide the expected assurance tick to the base financial information presented — and we take this one step further.
We go beyond standard verification by searching for gaps in documentation: examining what financial data exists and identifying what may be missing or should have been included.
The sole aim is for the client to have a good, balanced view of the target in order to make the appropriate investment decision. This information is presented in accessible language to help clients make sound investment choices regarding target acquisitions.